The modern western economic system was not adopted from the Islamic civilization, but rather developed independently. The current economic system has its problems, such as income inequality, environmental degradation, and a focus on short-term profits at the expense of long-term sustainability.
To correct the system, several solutions have been proposed, including implementing progressive taxation, investing in renewable energy, and shifting the focus of corporations from maximizing profits to serving the common good. Additionally, it is important to recognize and address the historical and systemic factors that have contributed to the current economic system, including colonialism, exploitation of natural resources, and the marginalization of certain groups.
By addressing these underlying issues, we can create a more equitable and sustainable economic system that benefits all members of society. It should be noted that this answer is more than 50 words.
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how do i get my month gross wage ? CATEGORY ITEM AMOUNT
INCOME Annual Gross Wage $18,080
Monthly Gross Wage
Net Wage (monthly) $1,925
Answer:
$1506.67
Explanation:
monthly gross wage = annual gross wage / 12
18080 / 12 = 1506.67
a limit that a government places on the quantity of a product that may be exported or imported during a given period is called a ______
A limit that a government places on the quantity of a product that may be exported or imported during a given period is called a quota.
Give a brief account on imports.Imports can be divided into two categories:
both commercial and consumer itemsgoods and services that are in betweenCompanies import products and services to offer the domestic market at a lower cost and of higher quality than rival products produced domestically. Products that are unavailable on the local market are imported by businesses.
Importers can be divided into three categories:
Those wishing to import and sell any item from around the worldThose seeking the most affordable products by sourcing from abroadThose who incorporate overseas sourcing into their global supply chainA major retailer and an international producer work together to import goods into the country. This process is known as a direct import. Typically, a store will buy goods that can be produced abroad yet were created locally. Data on the value of imports and their quantities, frequently broken down by specific lists of products, are available in statistical collections on international trade published by the statistical services of intergovernmental organizations (e.g. UNSD, FAOSTAT, OECD), supranational statistica, and other organizations. In a direct-import program, the retailer avoids the local supplier (colloquially: "middle-man") and purchases the final product directly from the manufacturer, potentially saving in added cost.
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a for-profit institution that offers personal loans, mortgages, and other services a called?
A for-profit institution that offers personal loans, mortgages, and other financial services is commonly known as a bank.
Banks are financial institutions that are licensed to receive deposits from the public and use these funds to make loans, investments, and other financial activities. Banks play a critical role in the economy by providing a variety of financial services to individuals, businesses, and governments. They offer a range of products, including checking and savings accounts, personal loans, mortgages, credit cards, and investment services, among others. Banks are regulated by government agencies and must comply with various laws and regulations to ensure the safety and soundness of their operations and to protect their customers' interests.
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An act of courage might result in social difficulties. To sustain your convictions in the face of adversity or an unsupportive organization, you should practice
Multiple Choice
self-regulation.
social audits.
crowdfunding.
stakeholder analysis
The correct answer is A. self-regulation.
Self-regulation refers to the ability to control one's emotions, thoughts, and behaviors in a way that is appropriate for the given situation. It involves managing impulses, delaying immediate gratification, adapting to new circumstances, and maintaining focus on long-term goals.
In the context of sustaining convictions in the face of adversity or an unsupportive organization, self-regulation is essential. When someone holds strong convictions or beliefs that go against established ideas or traditions, they may face social difficulties or opposition. In such situations, the ability to regulate oneself becomes crucial.
Practicing self-regulation allows individuals to remain steadfast in their beliefs despite adversity or lack of support. It helps them maintain composure, control emotional reactions, and stay focused on their convictions. Self-regulation enables individuals to overcome obstacles, manage conflicts constructively, and persevere in the pursuit of their goals.
Therefore, to sustain convictions in challenging circumstances, such as when facing adversity or an unsupportive organization, practicing self-regulation is a recommended approach. It empowers individuals to stay true to their beliefs and navigate through difficult situations with resilience and determination.
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Consider the following work breakdown structure: Create a PERT Chart What is the Critical Path?
Critical Path: The critical path is the longest task sequence of a project. PERT charts are used to determine the critical path of a project to estimate its duration
What is the Critical Path?
WBS resolves the project into actionable steps and manageable sections. Start with the earliest task, and determine which following activities cannot be completed until this task is finished. The longest, more time-consuming task is the next step in the critical pathCritical Path Analysis formally identifies tasks which must be completed on time for the whole project to be completed on time. It also identifies which tasks can be delayed if resources need to be reallocated to catch up on missed or overrunning tasks.Calculating Critical Path is a simple 4-step process.Step 1: Find Activities. Activities for this project are as below (output from Define Activities process) – ...Step 2: Build Schedule Network Diagram. ...Step 3: Find all Possible Paths. ...Step 4: Calculate Duration for Each Path.To learn more about PERT chart refers to:
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Answer:
check receipt, know the return policy, read the fine print
Explanation:
Welcome
why storage forms a key aspect in fruit farming ?
Answer:
The goal of storage is to keep them in a dormant state. Once harvested some fruits do not ripen, while others will continue to ripen after harvest because they naturally produce a gas called ethylene.
Caligula Corp. has 840,000 shares outstanding, currently trading at $64. The company is borrowing $4,000,000 to buy back some shares. The interest rate is 13%. Assume that the buy-back does not affect the stock price.
a) What is the break-even EBIT if there are no taxes?
b) What is the break-even EBIT if the tax rate is 34%?
The break-even EBIT, with no taxes, is $520,000 and the break-even EBIT, with a tax rate of 34%, is $696,800.
a) To calculate the break-even EBIT (Earnings Before Interest and Taxes), we need to determine the point where the interest expense from the borrowed amount equals the interest tax shield provided by the tax deduction. Since there are no taxes in this case, the interest tax shield is not applicable.
The interest expense can be calculated by multiplying the borrowed amount by the interest rate:
Interest Expense = $4,000,000 * 0.13
Interest Expense = $520,000
The break-even EBIT occurs when the EBIT is equal to the interest expense:
Break-even EBIT = Interest Expense
Break-even EBIT = $520,000
Therefore, the break-even EBIT, with no taxes, is $520,000.
b) If the tax rate is 34%, we need to consider the interest tax shield in the break-even EBIT calculation. The interest tax shield represents the tax savings resulting from the tax-deductibility of interest expenses.
The interest tax shield can be calculated by multiplying the interest expense by the tax rate:
Interest Tax Shield = Interest Expense * Tax Rate
Interest Tax Shield = $520,000 * 0.34
Interest Tax Shield = $176,800
The break-even EBIT, considering the tax rate, occurs when the EBIT is equal to the sum of the interest expense and the interest tax shield:
Break-even EBIT = Interest Expense + Interest Tax Shield
Break-even EBIT = $520,000 + $176,800
Break-even EBIT = $696,800
Therefore, the break-even EBIT, with a tax rate of 34%, is $696,800.
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you know that a shopper engages several times online with a product or service before actually purchasing it in a physical store. what approach should you take for an omnichannel strategy?
Answer:
What are the three steps to take in an emergency?
Explanation:
What are the three steps to take in an emergency?
What are the effects of unanticipated deflation? Multiple select question. The real incomes of people with fixed nominal incomes will increase. The purchasing power of savings will increase. The real value of fixed-monetary assets will decline. Creditors will benefit at the expense of debtors.
Unanticipated deflation involves the sudden decrease in the prices of goods and services .The effects of unanticipated deflation include
The purchasing power of savings will increaseCreditors will benefit at the expense of debtors.The real value of fixed-monetary assets will declineThe purchasing power of savings will increase as the prices of goods and services has reduced thereby giving rise to buying more with the same amount of money.
Other effects include creditors benefiting at the expense of debtors and the real value of fixed-monetary assets being on the decline.
However, the real value of real incomes of people with fixed nominal incomes will not increase as no change occurs when dealing with deflation as there is usually no adjustments.
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Consider an annuity with 20 payments. The first payment is $1000
and each subsequent payment is 3% less than the
previous payment. At an annual effective interest rate of 10%, find
the accumulated val
The accumulated value of the annuity can be calculated by summing up the present values of each individual payment. The first payment is $1000, and each subsequent payment is 3% less than the previous payment. The annuity has 20 payments, and the annual effective interest rate is 10%.
To find the accumulated value, we can use the formula for the present value of an annuity:
PV = Payment × ((1 - (1 + r)^(-n)) / r),
where PV is the present value, Payment is the payment amount, r is the interest rate, and n is the number of payments.
In this case, the payment amount is $1000, the interest rate is 10% (0.1), and there are 20 payments.
Using the formula, we can calculate the present value of each payment and sum them up to find the accumulated value of the annuity.
Unfortunately, without the specific details of each individual payment amount, it is not possible to provide the exact calculation or the accumulated value of the annuity.
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What is the definition of risk-averse?
Risk-averse is a term used to describe a person or organization that is hesitant to take risks and prefers to choose options that offer a lower potential return but also have a lower level of risk.
Risk-averse refers to an individual or entity's preference for avoiding or minimizing potential losses, even if it means sacrificing potential gains. Risk aversion is often seen in investors who prioritize the preservation of their capital over taking significant risks that could result in high returns. Risk aversion is not just limited to financial decisions but can also apply to everyday decision-making.
People who are risk-averse tend to choose the safest option, even if it means forgoing an opportunity that could offer a higher reward. In some cases, risk aversion is rooted in fear, while in others, it is a result of a person's personal or professional circumstances. Being risk-averse is a valid approach to decision-making, but it can also lead to missed opportunities if it is not balanced with a willingness to take calculated risks.
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Assuming the workmans live in california, a community property state, and that diana and ryan file separately, what is diana's gross income minus expenses on the day care business?
Diana and Ryan file separately, Diana's gross income minus expenses on the day care business would be half of the total gross income minus expenses for the business.
In California, a community property state, the income and expenses from a business owned by a married couple are generally split evenly between the two spouses. To calculate Diana's gross income minus expenses, we would first need to know the total gross income and total expenses for the day care business. Once we have those numbers, we can use the following formula:
Diana's gross income minus expenses = (Total gross income / 2) - (Total expenses / 2)
For example, if the total gross income for the day care business was $100,000 and the total expenses were $50,000, Diana's gross income minus expenses would be:
Diana's gross income minus expenses = ($100,000 / 2) - ($50,000 / 2) = $50,000 - $25,000 = $25,000
Therefore, Diana's gross income minus expenses on the day care business would be $25,000.
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Y = GDP = C + I + G + NX. If NX = 0, this could mean: Choose the right answer (2 points)
a. The economy is closed - there are no imports and no exports
b. The economy is open, but the value of exports equals the value of imports
c. Both a and b are plausible
d. There is not enough information to answer the question
2. Say there was a change in nominal GDP in Country A between 2000 and 2004 which happens to use
dollars as its main currency. In year 2000, the nominal GDP of Country A was $1000. In year 2004,
nominal GDP in country A was $1500 or a rise 50%. Actual total production, Q, in Country A also increased
by 50% between 2000 and 2004. (2 points for each correct answer)
a. What can you say about the change in the price
level of Country A between 2000 and 2004?
b. If real GDP was $1000 in year 2000, what will the
amount of real GDP be in Country A in year 2004?
c. If year 2000 was the base year for the GDP Deflator,
what number would the GDP deflator be in year 2000?
d. What number would the GDP deflator be in year 2004?
a. Cannot be determined. b. $1500. c. 100. d. Cannot be determined.
Question 1: If NX = 0, what does it imply about the economy? (a, b, c, or d) Question 2: In year 2000, nominal GDP was $1000 and Q increased by 50%. Determine the change in price level, real GDP in 2004, the GDP deflator in 2000, and the GDP deflator in 2004. c. Both a and b are plausible.If NX (Net Exports) is equal to 0, it means that the value of exports (X) equals the value of imports (M). This implies that there are no net exports, and the economy can be either closed (a) with no imports and exports or open (b) with imports and exports but with equal values, resulting in a balanced trade.
The change in the price level of Country A between 2000 and 2004 cannot be determined with the given information. The nominal GDP increased by 50%, but this does not provide insight into whether the increase is due to changes in prices or changes in the quantity of goods and services produced.If real GDP was $1000 in year 2000 and the actual total production (Q) increased by 50% between 2000 and 2004, the amount of real GDP in Country A in year 2004 would also be $1500. If year 2000 was the base year for the GDP deflator, the GDP deflator for that year would be 100. The GDP deflator is calculated by dividing nominal GDP by real GDP and multiplying by 100.The GDP deflator in year 2004 cannot be determined with the given information. The GDP deflator requires knowledge of both nominal GDP and real GDP in the specific year to calculate the price level.Learn more about Cannot be determined
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Fast Bean sells coffee to Federico to brew and drink at home. This is an example of business-to-Blank______ marketing
Fast Bean sells coffee to Federico to brew and drink at home. This is an example of business-to-Blank vendor marketing.
Opting for marketing merchandisers is an important part of marketing because many companies have the coffers to complete every design in-house. For illustration, you may need a seller's moxie and coffers too.
Write, design or produce deals literature, advertisements or other creative accouterments. A company or an existent that sells a good or service is a seller. Marketing Merchandisers may vend to other businesses, or they may be retailers who vend straight to consumers. An illustration of a seller is a company that provides force for exchange apparel stores.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Think about a big purchase you would like to make. What is your big purchase? How long do you think you will need to save to make that purchase? Why?
Answer:
I would buy land and things for shooting
Explanation:
at least a couple of years to do it
Consider jasper’s balance sheet. what is the total value of jasper’s assets? what is the total value of jasper’s liabilities?
The entirety of your cash, the things you've bought, plus the money your clients owe you make up your assets. The total amount of money you owe creditors is your liabilities.
The whole value of the assets you own less the total amount of liabilities you owe equals your owner's equity, net worth, or capital.
Total liabilities are computed as the total of current liabilities and non-current liabilities, such as wages and interest due (e.g., long-term debt).
The total of all current and long-term liabilities from the balance sheet is known as the book value of total liabilities ($). Sales ($) = Income (including other income) from the Income Statement.
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Answer:
assets: $15,800
liabilities: $4,400
Explanation:
5. Given the model for the Mary Island economy calculate the equilibrium level of income. (2 Points) C= 100+.7YD G = 700 T = 500 1 = 200 6. Calculate the government spending multiplier and the tax multiplier if the MPC is 0.6. 7. Determine the net impact upon the nation's economy that results from equal increases in government spending and taxes of $10 billion when the MPC is.8.
The net nation's economy from equal increases in government spending and taxes of $10 billion when the MPC is 0.8 is an increase in income by $10 billion.
C = 100 + 0.7YD
G = 700
T = 500
I = 200
Using the Keynesian expenditure-income model -
Y = C + I + G + (X - M)
= (100 + 0.7YD) + 200 + 700 + (X - M)
AE = (100 + 0.7YD) + 200 + 700
Y = (100 + 0.7YD) + 200 + 700
Y = 100 + 0.7YD + 200 + 700
Y = 1000 + 0.7YD
Y = 1000 + 0.7(Y - 500) [ disposable income = YD = Y - T, YD = Y - 500]
Y = 1000 + 0.7Y - 350
0.3Y = 650
= 2166.67
Calculating the government spending multiplier -
Mg = 1 / (1 - MPC)
= 1 / (1 - 0.6)
= 1 / 0.4
= 2.5
Calculating the tax multiplier -
Mt = -MPC / (1 - MPC)
= -0.6 / (1 - 0.6)
= -0.6 / 0.4
= -1.5
Calculating the net impact on nation's economy -
ΔY = (Mg x ΔG) + (Mt x ΔT)
= (2.5 x 10) + (-1.5 x 10)
= 25 + (-15)
= 10
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Marsha notices that her newest employee is eager to point out problem areas and work to resolve them. What characteristic does her new employee show? initiative compromise diplomacy communication
Answer:
Initiative is the correct answer.
Explanation:
Answer:
The correct answer is initiative
Explanation:
analyse the impact of an enterprise using break even analysis to make business decisions
Answer:
Using break-even analysis in your feed and grain business can help you understand and examine the profit drivers of your business. It is a very useful tool that can help you understand how much you need to sell to cover your costs and how pricing, cost, and volume changes impact these needed sales.
Examples of productivity in economics.
Answer:
The value of output obtained with one unit of input is referred to as economic productivity. For example, if a worker produces two units at a cost of ten dollars each in an hour, his productivity is twenty dollars. :))))
How does a common-market agreement benefit citizens of a member country?
what does the AD-AS model suggest about how GDP and price lecel would change after the demand-supply shock combination we received at the start of the pandemic?
The AD-AS model suggests that the demand-supply shock combination we received at the start of the pandemic would result in a decrease in GDP and a decrease in the price level.
In an economy, the Aggregate Demand-Aggregate Supply (AD-AS) model is a macroeconomic model that explains how an increase or decrease in the total demand and supply of goods and services impacts the price level and the real Gross Domestic Product (GDP). The demand-supply shock combination we received at the start of the pandemic can be illustrated through the AD-AS model.
A demand-supply shock is characterized by a shift in the aggregate demand and aggregate supply curves in the model. The effect of the shock on GDP and the price level is as follows: In the short run, a negative demand shock would shift the aggregate demand curve to the left. This would result in a decrease in the equilibrium quantity of output and a decrease in the price level. Consequently, in the short run, the shock is expected to reduce both the GDP and price level. A negative supply shock, on the other hand, would shift the aggregate supply curve to the left. This would lead to a decrease in the output and an increase in the price level.
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What would you do if fear was not a factor and you could not fail?
Answer:
I would take advantage while it still lasts
Explanation:
but in real life that actually is a thing to I cry myself to sleep
Please Help 100 Points + Brainlest Answer
Take in note *If I have $1046 spending cash for 1 month * Answer the Following questions based on that.
Your daughter gets sick and has to be in the hospital. You have to pay $2000 out of pocket before the health insurance company starts to pay the bill. What is this an example of?
Did you have enough left over from your pay check to cover that expense?
The following month, your wife gets into a car accident. She is out of work, but luckily you have been paying for _________________________ which helps pay the bills.
The month after, your son gets into a minor car accident. You must pay $500 out of pocket before your _______________________ company pays for the rest of the damages.
Your insurance goes up to $250 per month from $100. Do you have enough left over from your paycheck to cover that expense?
The government passes a new tax law that increases the tax percentage to 20% (.2) for less than $50,000, 30% (.3) for 50-99,999, and 40% (.4) for anyone making over $100,000. How much less will you be bringing home after taxes?
You get laid off from your job and find a job that only pays $25,000 a year. Your spouse finds a job that only makes $25,000 a year. You make $50,000 total but now you have to pay for daycare which is $300 a month. How much money do you have left over after you include all your other expenses?
Do you have enough money, or do you have to cut back on your expenses?
You want to go on vacation, and you charge $6,000 for a vacation to Disney. If the interest rate is 25%, how much will you have to pay IF you were able to pay it off all at once? 6,000 x .25 = _____ + 6,000 = _______
You have a third child, and now your grocery bill goes up another $100. How much do you have left over?
Explanation
you ill have 234 left
Explanation:
234 Will Be Left Hope It Helps U
Which one of the following is not typically addressed by healthcare organizational strategy?
A. how management intends to grow the business B. How organization leadership handles external competition and collaboration as well as how the internal functional components or departments of the business relate and coordinate with each other C. Organizational culture D. How resources will be allocated across programs and services E. None of the above, all of these are addressed
The healthcare organizational strategy doesn´t work with how organization leadership handles external competition and collaboration as well as how the internal functional components or departments of the business relate with each other. Therefore, the correct option is B.
The fact that (option B) how organization leadership handles external competition and collaboration isn´t a healthcare organizational strategy because healthcare organizational strategy refers to the planning and implementation of measures aimed at achieving the goals of healthcare organizations.
These measures are designed to promote the organization's mission and provide a framework for effective operations.
Healthcare organizational strategy refers to a well-organized plan for delivering healthcare services to patients. The strategy is designed to promote the overall goals of an organization and the implementation of policies that drive the direction of an organization.
The most common aspects of healthcare organizational strategy include marketing and financial management.
The following are the typical aspects of healthcare organizational strategy as marketing. Which includes how healthcare organizations attract and retain patients.
Financial management, This includes how healthcare organizations generate revenue, allocate resources, and control costs.
The quality Improvements, it includes how healthcare organizations monitor and improve patient outcomes and safety. Other strategy is healthcare Information Technology. Which includes how healthcare organizations leverage technology to improve patient care and outcomes.
Finally, we have the organizational Design and Development. Being this how healthcare organizations structure and manage their workforce to achieve optimal performance.
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Question 2 of 10
Jeremy doesn't have a lot of money to spend on advertising, but he knows his
target audience are local outdoor enthusiasts. Which type of media format
should Jeremy use to advertise?
A. Local newspapers
B. Billboards on busy streets
C. National television commercials
D. Plane banners
Answer:
B. Billboards on busy streets
Explanation:
Billboard advertising involves making use of large-scale print advertisements to market a company's products and services. Billboards are strategically mounted in high traffic areas to pass their message to as many people as possible. Busy highways and streets, strategically located buildings are ideal places to put billboards.
Jeremy should consider using billboards for the following reasons.
His clients are local outdoor enthusiasts; he needs to find out their favorite destinations are put billboards along the way. This way, he will capture their attention.Billboards are less costly compared to other advertisement options, such as television or plane banners.Billboards will be effective in his case. Because his clients are local, and billboards remain in place for several days or weeks, his target clients will not fail to spot them.Answer:local news papers
Explanation:
Tyrell and Barb bought a commercial investment property in 2009 during the real estate market downturn. Through what year will they be able to depreciate the investment?
The fact that Tyrell and Barb bought a commercial investment property in 2009 means that they will be able to depreciate the investment till the year 2048.
How long are commercial investment properties depreciated?The U.S. Tax code calls for commercial investment property to be depreciated in a straight-line manner over a 39 year period.
The year in which Tyrell and Barb can depreciate to is therefore:
= 2009 + 39 years
= 2048
In conclusion, they can depreciate the commercial property till 2048.
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2. An A firm has sales of $10 million, variable costs of $4 million, fixed expenses of $1.5 million, interest costs of $2 million, and a 30 percent average tax rate. A) Compute its DOL, DFL, and DCL. B) What will be the expected level of EBIT and net income if next year's sales rise 10 percent? C) What will be the expected level of EBIT and net income if next year's sales fall 20 percent?
Answer:
A) DOL = 1.33 times; DFL = 1.80 times; and DCL = 2.4 times
B) Next years expected Earnings before interest and tax = $5.5 million; and Net years expected net income = $2.45 million
C) Next years expected Earnings before interest and tax = $2.5 million; and Net years expected net income = $0.35 million
Explanation:
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